印度股市周一早盘上涨498点,涨幅0.6%,达到81018点,标志着连续第二个交易日上涨。这一增长主要是由石油和天然气、汽车、金属和耐用消费品等行业推动的。BSE Sensex指数徘徊在12月中旬以来的最高水平,受到周五华尔街反弹的支撑,这得益于全球贸易紧张局势的缓解和美国强劲的贸易数据。持续的外国资金流入、强劲的企业盈利以及对潜在的印美贸易协议的乐观情绪继续提振市场情绪。Nifty 50指数也上涨了0.6%,超过了24500点大关。然而,印度和巴基斯坦之间持续的地缘政治紧张局势限制了涨幅。表现最好的包括阿达尼港口(4.1%)、巴贾伊·芬塞尔(2.7%)、亚洲涂料(2.5%)、马恒达和马恒达(1.4%)以及HDFC银行(1.3%)。本周,包括Kotak Mahindra、SBI和Mahindra&Mahindra在内的70多家公司计划公布第四季度业绩。
The Indian stock market gained 498 points, or 0.6%, reaching 81,018 in early trade on Monday, marking the second consecutive session of growth. The rise was driven primarily by sectors such as oil & gas, auto, metals, and consumer durables. The BSE Sensex hovered at its highest level since mid-December, supported by a rally on Wall Street on Friday, fueled by easing global trade tensions and strong U.S. trade data. Sustained foreign fund inflows, strong corporate earnings, and optimism about a potential India-U.S. trade deal continued to bolster sentiment. The Nifty 50 also rose 0.6%, surpassing the 24,500 mark. However, gains were limited by ongoing geopolitical tensions between India and Pakistan. Among the top performers were Adani Ports (4.1%), Bajaj Finserv (2.7%), Asian Paints (2.5%), Mahindra & Mahindra (1.4%), and HDFC Bank (1.3%). This week, more than 70 companies, including Kotak Mahindra, SBI, and Mahindra & Mahindra, are scheduled to release their Q4 results.